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Transformation of the capital market stability model under the influence of the financial globalization

机译:金融全球化影响下的资本市场稳定模型的转变

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In the course of economic globalization a process of formation of the united financial market has evolved. The united market means a gradual merge of financial risks and increase of volumes and unpredictability of aggregate risk in the result of synergetic effect contained in the nature of financial market as of a nonlinear dynamical system. The article examines the factors of financial globalization that have had the author's opinion the greatest influence on the stability of financial markets in recent decades. On the basis of this analysis, we made an effort to set the parameters of the model the stability of the financial market in the form of a nonlinear stochastic differential equation. Basing on non-stability of a global financial market and under influence of globalization factors it was concluded that it is necessary to check the hypotheses on formation of a financial cycle apart from general business cycle.
机译:在经济全球化的过程中,形成了统一的金融市场的过程。统一市场是指金融风险的逐步合并,数量的增加以及总风险的不可预测性,这是由于非线性动力系统中金融市场的本质所包含的协同效应所致。本文研究了金融全球化的因素,这些因素在最近几十年中已经对金融市场的稳定性产生了最大的影响。在此分析的基础上,我们努力以非线性随机微分方程的形式设置模型的参数,以稳定金融市场。基于全球金融市场的不稳定和全球化因素的影响,得出的结论是,有必要检查关于除了一般商业周期之外的金融周期形成的假设。

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